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DISPOSAL OF SUBSIDIARIES (Tables)
12 Months Ended
Dec. 31, 2018
GRANSOLAR CUBIERTAS 3, S.L.U ("GSC3") and GRANSOLAR CUBIERTA 7, S.L.U ("GSC7")  
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP  
Schedule of net assets (liabilities) of subsidiary

 

 

 

 

 

    

Thousand USD

Current Assets

 

111

Cash and cash equivalents

 

64

Trade and other receivables

 

48

Deferred tax assets

 

 —

Non-current Assets

 

2,418

IPP solar parks

 

2,415

Intangible assets

 

 3

Current Liabilities

 

(127)

Trade and other payables

 

(103)

Tax payable

 

(14)

Borrowings

 

(10)

Non-current Liabilities

 

(177)

Deferred tax liabilities

 

(177)

Net assets disposed of

 

2,225

 

Schedule of gain (loss) on disposal of subsidiary

 

 

 

 

 

 

    

Thousand USD

Cash Consideration received

 

911

Cash receivable

 

64

Net assets disposed of

 

(2,225)

Exchange difference

 

(38)

Loss on disposal of a subsidiary

 

(1,288)

 

Schedule of net cash inflow (outflow) on disposal of subsidiary

 

 

 

 

 

    

Thousand USD

Cash and cash equivalent balances disposed of

 

64

Cash received as consideration

 

 —

Net cash outflow arising on disposal

 

64

 

Solar Tech K.K.  
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP  
Schedule of net assets (liabilities) of subsidiary

 

 

 

 

    

Thousand USD

Current Assets

 

924

Cash and cash equivalents

 

628

Trade and other receivables

 

213

Deferred tax assets

 

83

Non-current Assets

 

4,578

IPP solar parks

 

3,758

Long term deposit and others

 

820

Current Liabilities

 

(696)

Trade and other payables

 

(689)

Tax payable

 

(7)

Non-current Liabilities

 

(6,484)

Borrowings

 

(6,484)

Net liabilities disposed of

 

(1,678)

 

Schedule of gain (loss) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Cash Consideration received

 

 8

Net liabilities disposed of

 

1,678

Gain on disposal of a subsidiary

 

1,686

 

Schedule of net cash inflow (outflow) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Cash and cash equivalent balances disposed of

 

628

Cash received as consideration

 

 8

Net cash outflow arising on disposal

 

620

 

1088526 B.C. Ltd.  
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP  
Schedule of net assets (liabilities) of subsidiary

 

 

 

 

    

Thousand USD

Current Assets

 

3,882

Cash and cash equivalents

 

3,260

Trade and other receivables

 

397

Other current asset

 

225

Non-current Assets

 

13,089

IPP solar parks

 

13,089

Current Liabilities

 

(1,036)

Trade and other payables

 

(134)

Borrowing

 

(902)

Non-current Liabilities

 

(16,957)

Long-term borrowing

 

(15,539)

Swap liability

 

(1,418)

Net liabilities disposed of

 

(1,022)

 

Schedule of gain (loss) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Cash Consideration received in:

 

7,998

Net liabilities disposed of

 

1,022

Cumulative gain/loss on hedging instrument reclassified from equity on loss of control of subsidiary

 

(1,126)

Re-evaluate fair value of residual investment

 

2,188

Gain on disposal of a subsidiary

 

10,082

 

Schedule of net cash inflow (outflow) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Consideration received in cash and cash equivalent

 

7,998

Less: Cash and cash equivalent balances disposed of

 

(3,260)

Net cash inflow arising on disposal

 

4,738

 

1091187 B.C. Ltd.  
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP  
Schedule of net assets (liabilities) of subsidiary

 

 

 

 

    

Thousand USD

Current Assets

 

295

Cash and cash equivalents

 

284

Trade and other receivables

 

11

Non-current Assets

 

3,294

IPP solar parks

 

3,253

Other Non-current Assets

 

41

Current Liabilities

 

(143)

Trade and other payables

 

(62)

Borrowing

 

(81)

Non-current Liabilities

 

(1,319)

Long-term borrowing

 

(1,319)

Net Assets disposed of

 

2,127

 

Schedule of gain (loss) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Cash Consideration received in:

 

2,979

Net assets disposed of

 

(2,127)

Re-evaluate fair value of residual investment

 

612

Gain on disposal of a subsidiary

 

1,464

 

Schedule of net cash inflow (outflow) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Consideration received in cash and cash equivalent

 

2,979

Less: Cash and cash equivalent balances disposed of

 

(284)

Net cash inflow arising on disposal

 

2,695

 

Companies based in Cypriot  
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP  
Schedule of net assets (liabilities) of subsidiary

 

 

 

 

    

Thousand USD

Current Assets

 

10,590

Cash and cash equivalents

 

3,633

Trade and other receivables

 

6,957

Non-current Assets

 

32,827

IPP solar parks

 

31,431

Other Non-current Assets

 

1,396

Current Liabilities

 

(1,918)

Trade and other payables

 

(1,918)

Net Assets disposed of

 

41,499

 

Schedule of gain (loss) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Cash Consideration received in:

 

41,915

Net assets disposed of

 

(41,499)

Gain/(Loss) on disposal of a subsidiary

 

416

 

Schedule of net cash inflow (outflow) on disposal of subsidiary

 

 

 

 

    

Thousand USD

Consideration received in cash and cash equivalent

 

41,915

Less: Cash and cash equivalent balances disposed of

 

(3,633)

Net cash inflow arising on disposal

 

38,282